Obbligazione Caterpillar Financial Corp 4.6% ( US14912LZ467 ) in USD

Emittente Caterpillar Financial Corp
Prezzo di mercato 100 USD  ⇌ 
Paese  Stati Uniti
Codice isin  US14912LZ467 ( in USD )
Tasso d'interesse 4.6% per anno ( pagato 2 volte l'anno)
Scadenza 15/01/2014 - Obbligazione č scaduto



Prospetto opuscolo dell'obbligazione Caterpillar Financial Services Corp US14912LZ467 in USD 4.6%, scaduta


Importo minimo 1 000 USD
Importo totale 250 000 000 USD
Cusip 14912LZ46
Descrizione dettagliata Caterpillar Financial Services Corp. č una societā di servizi finanziari che fornisce soluzioni di finanziamento e leasing per attrezzature Caterpillar e altre attivitā correlate a livello globale.

The Obbligazione issued by Caterpillar Financial Corp ( United States ) , in USD, with the ISIN code US14912LZ467, pays a coupon of 4.6% per year.
The coupons are paid 2 times per year and the Obbligazione maturity is 15/01/2014







Registration No
424B2 1 price382.htm MEDIUM TERM NOTE 382
Registration No.333-109182 424 (b)(3)
Pricing Supplement No:382 Cusip:14912LZ46
Dated: January 14, 2004
Caterpillar Financial Services Corporation
Medium-Term Notes, Series F
(Fixed Rate)
With Maturities of 9 Months or More from Date of Issue
Interest payable each January 15 and July 15 and at Maturity
Principal Amount: Interest Rate: Proceed Amount:
$100,000,000 4.600%
$99,454,000
Original Issue Date: Commission Fee: Maturity Date:
01/20/2004 $475,000 01/15/2014

Dealer:
Banc of America Securities $100 mm
(DTC #773)
Specified Currency: Option to Elect Payment Authorized Denominations
x U.S. dollars in U.S. dollars (only applicable if
_ Other:___________ (only applicable if Specified Currency is
Specified Currency is other than U.S.
other than U.S. dollars): N/A
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Registration No
N/A
The Note is a: Exchange Rate Agent
X Global Note (if other than First
Certificated Note Trust New York): N/
A (only applicable if
Specified Currency
is other than U.S.
dollars)
Original Issue Total Amount of OID: N/A Terms of Amortizing
Discount Note: Notes: N/A
Yes x No Issue Price (expressed
as a percentage of
aggregate principal
amount): 99.929%


Redemption Date(s) (including Redemption Price(s): N/A any
applicable regular or
special record dates): N/A

Repayment Date(s) (including Repayment Price(s): N/A any
applicable regular or
special record dates):
N/A
Interest Rate Reset Option: _ Yes X No
Optional Reset Dates (only applicable if option to reset interest rate): N/A
Basis for Interest Rate Reset (only applicable if option to reset interest rate): N/
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Registration No
A
Stated Maturity Extension Option: _ Yes x No
Extension Period(s) and Final Maturity Date (only applicable if option to extend
stated maturity): N/A
Basis for Interest Rate During Extension Period (only applicable if option to
extend stated maturity): N/A
Historical Exchange Rate (only applicable if Specified Currency other than U.S.
dollars): N/A
The interest rates on the Notes may be changed by Caterpillar Financial
Services Corporation from time to time, but any such change will not affect the
interest rate on any Note offered prior to the effective date of the change. Prior
to the date of this Pricing Supplement, $250 mm principal amount of the Notes had
been sold at interest rates then in effect.
_________________________________
Pricing Supplement to Prospectus Supplement dated November 06, 2003
and Prospectus dated October 15, 2003
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